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| QSCL’s securities fraud litigation and arbitration practice draws upon our attorneys’ broad range of experience which includes not only the representation of both investors and brokers, but also representation of receivers appointed on behalf of the Securities and Exchange Commission, as well as administration of SEC Receiverships . We handle claims involving violations of the 1933 Securities Act and the Securities and Exchange Act of 1934. These include claims for misrepresentation and/or omissions, excessive trading, unauthorized investments, failure to follow instructions, misappropriation, unsuitable recommendations, and failure to conduct adequate due diligence. Our Securities Fraud Attorneys:
Michael D. Clark
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